Type of financial instrument | Financial instrument | ISIN code | Nature of transaction | Linked to a share option programme | Volume | Unit | Price per unit | Currency code | Transaction date | Trading venue |
---|---|---|---|---|---|---|---|---|---|---|
Share | Bayn | SE0006261046 | Disposal | 34,000 | Quantity | 2.28 | SEK | 19/06/2019 | FIRST NORTH SWEDEN - NORDIC@MID | |
Share | Bayn Europe | SE0006261046 | Disposal | 32,000 | Quantity | 2.34 | SEK | 20/06/2019 | FIRST NORTH SWEDEN | |
BTA | Bayn Europe | SE0006261046 | Subscription | 500,194 | Quantity | 1.10 | SEK | 18/06/2019 | FIRST NORTH SWEDEN |
Financial instrument | ISIN code | Nature of transaction | Transaction date | Trading venue | Volume | Weighted average price |
---|---|---|---|---|---|---|
Bayn | SE0006261046 | Disposal | 19/06/2019 | FIRST NORTH SWEDEN - NORDIC@MID | 34,000 (Quantity) | 2.28 SEK |
Bayn Europe | SE0006261046 | Disposal | 20/06/2019 | FIRST NORTH SWEDEN | 32,000 (Quantity) | 2.34 SEK |
Bayn Europe | SE0006261046 | Subscription | 18/06/2019 | FIRST NORTH SWEDEN | 500,194 (Quantity) | 1.10 SEK |